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Business Miscellaneous Fees

ATM Fees
    Non-ANB Bank ATM (Foreign ATM) $ 2.00 each (ATM operator/owner may charge an additional surcharge)
Debit or ATM Card Fees
    Replacement Card $ 10.00  per card (when ordered two or more times a year)
    Rushed Card Replacement $ 50.00  per card
    International Transactions (ISA) 1%  of each transaction
Overdraft Fees
    Non-Sufficient Funds (NSF) $ 30.00  per item paid or returned for non-sufficient funds created by check or by other electronic means (excluding ATM and one-time debit charges)
    Overdraft Continuous $ 5.00  per day (the first 5 days there is no charge)
    Overdraft Transfer (Savings to Checking) $ 5.00 each
    Business Overdraft Line of Credit $ 20.00 annual fee
Account Fees
    Account Closing $ 25.00  if closed within 90 days of opening
    Paper Statement $ 5.00  per month for Business
    Check Orders Varies by selection and quantity ordered
    Check Imaging
       Front of checks or deposits $ 5.00  per month Business
       Back of checks or deposits $ 2.00  per month
    Business Check Cashing $ 5.00  each (non-customers)
    Cashier’s Check $ 5.00  each (ANB customers only)
    Foreign Deposited Item $ 3.00  each
    Temporary Checks $ 0.25  each
    Activity Printout $ 3.00  each
    Garnishments/Levies $ 75.00  each
    IRA Closing $ 25.00  per account
    Regulation D Excessive Withdrawal (Savings & money management accounts) $ 10.00  per occurrence
    Research/Reconciliation $ 25.00  per hour
     $ 5.00  per statement copy
     $ 2.00  per item copy (after the first 5 free per statement cycle)
     Fees vary for electronic copies via USB or CD Rom (shipping is also additional)
Service Fees
    Online Banking – Business
       View, Transfer with Bill Pay Free
       View, Transfer, Bill Pay with Treasury Management $ 25.00  per month (Credit approval required for some functions)
Additional fees for products may apply
    Bill Pay Free
       Overnight or Expedited Bill Pay Additional fee per payment varies
    Transfers – Online, Mobile or Telephone Banking Free
    Transfers – Customer Care or Lobby $ 1.50  initial setup, recurring transfers after no charge
    External Transfers – Customer Care or Lobby $ 3.00  per transfer
    Loan Sweep to Business Checking $ 5.00  per sweep or $ 75.00 per month
    Night Depository Bags $ 5.00  zipper.....................................$ 25.00 lock bag
       Key Replacement $ 5.00  each
    Stop Payment $ 30.00  each (6 months).....................$ 35.00 each (12 months)
    Wire Incoming $ 12.00  each (Domestic).....................$ 15.00 each (International)
    Wire Outgoing Domestic $ 25.00  each
    Wire Outgoing International $ 50.00  (additional international fees could apply)
    Returned Deposit Item $ 7.00  each
Collection Fees
    Collections $ 20.00  incoming and outgoing
    Foreign Items $ 50.00  each
    Special Handling Instructions $ 25.00  per month
Safe Deposit Boxes
    Safe Deposit Box Rental, varies by box size and location (request pricing from your local banking center)
    Lock Drilling Varies by location
    Lost Key $ 25.00
For additional information please email us.